Profit Trade

The principle of constructing indicator lines.

              Profit Trade  indicator is very effective for trading. Profit Trade  is a deep development of the well-known Donchian channel  indicator. The upper (BlueViolet color) Dup and the lower (IndianRed) Ddn lines of the indicator are constructed in the same way as in the Donchian channel, based on the highest (high of High) and lowest (low of Low) prices for the previous n1 = 20 periods. The middle line (Gold) Dm is constructed in the same way as in the Donchian channel indicator, as the average of the two above-mentioned lines. The (Blue) Pup line, located immediately below the upper Dup line, is built on the basis on the maximum of the Low  for the previous n1 periods. The (Red) Pdn line, located immediately above the lower Ddn, is constructed similarly on the basis of the High price low. In addition, based on an algorithm similar to the moving median of the average price (High + Low) / 2, but with a shorter period n2 = 3, the signal line (WhiteSmoke) Ps is built.

              

The benefits of the indicator.

             The indicator demonstrates the current state of the market in a clear and covering all characteristic price scales. The filtration used in Profit Trade is extremely robust; and this indicator does not redraw. The indicator settings are extremely simple.

 

Trading with the Profit Trade Indicator.

              The upper Dup and lower Ddn lines cover all the current price fluctuations for the period n1 and outline a large-scale channel. Price breaks through this large-scale channel as market conditions change. If an uptrend occurs, then the price will almost always fit into the narrow channel formed by the Dup and Pup lines. When a downtrend occurs, the price is clamped into a narrow channel by the lines Ddn and Pdn. With the continuation of trends arising from breakdowns of a large-scale channel, the signal line Ps will always go through the middle of such ascending or descending channels. If the signal line Ps crosses the Pup line in the ascending channel from top to bottom or crosses the Pdn line in the descending channel from bottom to top, this indicates a change in direction of the corresponding trend. Further intersection by the signal line Ps of the midline Dm confirms the emerging trend. An earlier signal for a change in the direction of the trend is a sharp bend in the signal line Ps, when it from the direction parallel to the horizontal becomes directed against the established trend. If the signal line, being horizontal at first, bends in the direction of the trend, then this trend will continue. If the trend is upward and starts when you exit the lower channel limited by the Ddn and Pdn lines, then StopLoss of a buy position must be placed on the Ddn line. For a downtrend starting from the channel Dup and Pup,  StopLoss of the sell position must be placed on the Dup line.

              When the signal line Ps crosses the Pup line in the upstream channel from the top down or crosses the Pdn line in the downward channel from the bottom up, this may also indicate a rollback on the corresponding trend. Profitable positions in this case must be closed; and wait until Ps crosses the Pup line in the upstream channel from the bottom up or crosses the Pdn line in the down channel from the top down, which will indicate the completion of the rollback. Then again we open positions according to the trend. StopLoss in this case is also defined as previously described, but on a smaller timeframe.

              The flat is identified by long, horizontal indicator lines that are comparable in length with trend areas. Opening positions on the flat is undesirable.

              An analysis of the state of the market should begin with a consideration of a large time frame, which determines the direction of the current trend. If flat, it is better not to open positions. We open positions according to the trend on a smaller timeframe. If there is a pullback, then the corresponding position against the trend is also undesirable to open, because at the time of the rollback, we do not know its duration, which may turn out to be small.

               

  

Indicator Settings.

  • The  main averaging period    -  Any positive integer  (20 default).
  • The signal line averaging period -  Any positive integer  (3 default).
  • Line thickness -  Any positive integer  (1 default).


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The Quality trend indicator expresses the ratio of the strength of a trend or the speed of its growth (fall) to the degree of its noisiness or a certain norm of amplitudes of chaotic fluctuations of a growing (falling) price. The position of the indicator line above zero shows an increasing trend, below zero - a falling trend, the fluctuation of the indicator line near zero shows a flat. If the indicator line begins to fluctuate rapidly around zero and approach it, then this indica
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PDP indicator is used for: defining price probability distributions. This allows for a detailed representation of the channel and its borders and forecast the probability of a price appearing at each segment of its fluctuations; defining the channel change moment. Operation principles and features PDP analyzes a quote history on lower timeframes and calculates a price probability distribution on higher ones. Forecast algorithms allow the indicator to calculate probability distributions and mov
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Iterative Moving Average – IMA.   IMA is obtained by correcting the usual   MA.   The correction consists in addition   to MA averaged difference between the time series (X) and its MA, i.e.   IMA(X)=MA(X) + MA ( Х -MA(X)). Correction is done in several iterations (and, exactly, 2 iterations in this indicator) and with a change in the averaging period.               As a result, the time-series points begin to cluster around (on all sides) of the getting   IMA and with a smaller de
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I present an indicator for professionals. ProfitMACD is very similar to classic MACD in appearance and its functions . However, ProfitMACD is based on completely new algorithms (for example, it has only one averaging period) and is more robust, especially on small timeframes, since it filters random price walks. The classic MACD indicator (Moving Average Convergence / Divergence) is a very good indicator following the trend, based on the ratio between two moving averages, namely the EM
The principle of the indicator.               A simple moving average (SMA) with an averaging period (2n + 1) of bars is always obtained lagging by n bars. If SMA or other types of moving averages are the basis for making trading decisions, then their strong delay does not allow   to open positions in time and close positions, which leads to losses.                            The Estimation moving average without lag ( EMAWL ) indicator calculates the non-lagging moving average, which is calcula
The principle of the indicator.               The Strong Trend Flat Signal (STFS) indicator is the intersection of two, developed by the author, non-lagging moving averages with averaging periods 21 and 63.               A simple moving average (SMA) with an averaging period (2n + 1) of bars is always obtained lagging by n bars. If SMA or other types of moving averages are the basis for making trading decisions, then their strong delay does not allow  to open positions in time and close positio
StatPredict
Aleksey Ivanov
Introduction.             The indicator predicts the price in accordance with the prevailing trend  and its own small statistical price fluctuations around this trend. At the same time, in StatPredict , you need to set the time horizon of the forecasted events, which is set by the parameter settings of the “ Length of forecast in bars ” indicator and determined by the characteristic time scale of the current   trend, which is best measured by the ProfitMACD indicator or by the previous price co
Asummetry
Aleksey Ivanov
The principle of the indicator.                             The Asummetry  indicator allows you to predict the beginning of a change in the direction of trends, long before their visual appearance on the price chart.               The author statistically revealed that before changing the direction of the trend, the probability distribution function of the price is made as asymmetric as possible. More precisely, the price movement in any direction always pulls sideways the function of its dist
Indicator is used for: defining price probability distributions. This allows for a detailed representation of the channel and its borders and forecast the probability of a price appearing at each segment of its fluctuations; defining the channel change moment.   Operation principles and features Indicator analyzes a quote history on lower timeframes and calculates a price probability distribution on higher ones. Forecast algorithms allow the indicator to calculate probability distributions and m
The Identify Market State   indicator allows you to set the beginning of a new trends and pullbacks on an existing trend. This indicator can be used both for trading on scalper strategies and for long-term trading strategies.               The indicator is based on the 14 periodic DeMarker   indicator and the 8 periodic simple moving average from this indicator. Statistical studies have shown that the sharp peaks of the DeMarker   indicator curve when they drop below its minimum li
The Signal Envelopes   indicator uses the robust filtering method based on: (1) the moving median Buff0 = <Median> = (Max {x} + Min {x}) / 2 and (2) the averaging algorithm developed by the author Buff1 = <(<Median> ) ^ (- 3)> * (<Median>) ^ 4  based on the moving median. The Signal Envelopes   indicator allows you to most accurately and with the minimum possible delay set the beginning of a new trend.  The Signal Envelopes indicator can be used both for trading according to scalpe
The principle of constructing indicator lines and their meaning .               The Signal Channel   indicator uses a robust filtering method based on two moving medians applicable to the High and Low prices, i.e. the lines <High> and <Low>, where <..> is the sign of linear averaging, which are shifted by certain values ​​in an uptrend and by opposite values ​​in a downtrend, which allows you to get a narrow channel, approximately outlining each bar. Sharp kinks of the lines of such a channel a
Robust Filter
Aleksey Ivanov
5 (1)
The Robust filter   indicator is based on the robust filtering algorithm developed by the author using the multi-period averaged moving median. The algorithm for this averaging is shown in the last screenshot.                The indicator calculates and shows: 1. The direction of the trend; 2. Entry and exit points of positions; 3. StopLoss   lines calculated from current price probability distributions and selected probability of closing an order by StopLoss before the trend revers
This   indicator is intended for professionals assessing fundamental market trends.  This indicator calculates the index of any instrument and analyzes it.              The index of the state currency shows the real purchasing power of this currency, and the dynamics of this index shows the dynamics of the economic state of the corresponding state. An analysis of the indices of both currencies included in a currency pair makes it much more reliable to identify the trend of this cur
The Multicurrency Trend Detector ( MTD ) indicator allows you to immediately and on one chart on a selected time interval (extending from a zero bar to a bar set in the settings by the value horizon) determine the presence, direction and strength of trends in all major currencies, as well as assess the reliability of these trends.               This is achieved by calculating indices (non-relative purchasing power) of eight major currencies, namely: AUD, CAD, CHF, EUR, GBP, JPY, NZ
StatZigZag
Aleksey Ivanov
The StatZigZag  indicator looks like a regular ZigZag , but is built on the basis of completely different algorithms. The StatZigZag  indicator is a broken line built from segments of regression lines of different lengths, the beginning of each of which comes from the end of the previous segment. Each regression segment is built until the variance or spread of price around it begins to exceed a certain critical value, after which the construction of this segment ends and the constr
The Velocity of price change   ( VP ) indicator shows the average rate of price change at those characteristic time intervals where this rate was approximately constant. The robust algorithm used in VP   to smooth out the price from its random jumps, ensures the reliability of the indicator reading, which does not react to simple price volatility and its insignificant movements.             The indicator allows you to track trends and the moments of their reversals , during which t
Casual Channel
Aleksey Ivanov
5 (1)
Toutes les tendances ne peuvent pas rapporter de l'argent. Le fait est qu'il existe deux types de tendances:  1)   les vraies tendance s qui sont causées par des raisons économiques fondamentales qui sont stables et, par conséquent, peuvent fournir un profit fiable pour le commerçant;  2)     fausses sections de tendance , qui ne ressemblent qu'à une tendance et surviennent en raison de chaînes d'événements aléatoires - déplaçant le prix  dans une direction. Ces sections de fausses
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